Update indicator and EA

MQL5 지표 EA

작업 종료됨

실행 시간 7 시간
고객의 피드백
Job well done.. did things efficiently and fast ... good programmer and good helpful attitude ,, now for my weekend of backtesting
피고용인의 피드백
Very thanks for order! Please let me know if you need programmer!

명시

i have an indicator that i want to add another MA to and and then embed this in my EA as a choice to switch on or off. the EA is a working EA i just need a small addition you get it to work with trend, will only attach once job accepted

응답함

1
개발자 1
등급
(1156)
프로젝트
1462
63%
중재
21
57% / 10%
기한 초과
43
3%
무료
2
개발자 2
등급
(885)
프로젝트
1410
67%
중재
123
32% / 41%
기한 초과
217
15%
무료
게재됨: 1 코드
비슷한 주문
Шукаю спеціаліста для розширення діючого функціоналу MT5 "New order" або створення окремого робота. Суть проекта - можливість створення відкладеного ордеру BuyStop або SellStop після досягнення ринковою ціною певного значення. Схема руху ціни - хибний пробій рівня (ціна X) та розворот тренду. Ручне встановлення SL та TP. Опція схожа діючого функціоналу BuyStopLimit або SellStopLimit, але відкладений ордер
Need aggressive M1 gold scalper rewrite of Dev3 + 8 strategies. INPUTS: RiskPercent=3, TP=400, SL=300, MaxTrades=6, Mode=BOTH, DailyProfit 15%, DailyLoss -10% LOT = Balance * RiskPercent / 1000 - works for Cent R350 and $1000. 8 STRATEGIES any true = open instantly, check 1 sec: 1 EMA8/21 cross 2 RSI14 30/70 + engulf 3 Engulfing candle 4 BB 20,2 breakout 5 FVG grab M1 6 M5 trend + M1 entry 7 Wick rejection >2 8
Hi, I want to develop a custom SMC (Smart Money Concepts) EA for MT5. My budget is $100. Here are the strategy requirements: 1. Auto identification of BOS, CHoCH, Order Blocks (OB), and FVG. 2. Auto entry when price returns to OB/FVG. 3. Auto SL above/below OB and TP based on Risk-to-Reward ratio (1:2, 1:3). 4. Risk Management (Risk % per trade or fixed lot size), Trailing Stop, Break-Even, and Max Spread filter. 5
I need an experienced MQL5 developer to build a prototype MT5 Expert Advisor called RiskLock. The software should enforce user-defined trading risk rules before trades are executed. It should support risk percentage or fixed monetary risk, calculate position size using account equity, entry price, stop loss, tick value and contract specifications, block or reduce oversized trades, and include daily loss limits
I need EA Lil-MeProBot for MT5. Phone user, deliver .mq5 + .ex5. Symbols: XAUUSD EURUSD GBPUSD USDJPY BTCUSD, M15, Magic 777001 Strategy 6X Confluence score 4/6: 1. EMA 50/200 trend 2. Break of Structure 3. RSI 14 4. Strong body FVG/Order Block 5. Session 8am-9pm GMT+2 6. ATR filter Money Management LASTING: Lot 0.01 fixed, NO martingale, NO grid, Max 1 per symbol Max 2 total, SL ATR*2 TP ATR*3, Daily loss R40 stop
Project Overview I have an existing MT5 Expert Advisor (EA) written in MQL5. The source code ( .mq5 ) will be provided. The underlying strategy is a trend-following system that performs well during trending market conditions, but requires professional quantitative research to improve its ability to identify and avoid highly sideways/range-bound market conditions. The objective of this project is not to build a new EA
I am looking for an experienced MQL5 Expert Advisor (EA) developer to analyze an existing trading setup and develop a similar automated trading robot. Project Overview I have access to a demo trading account where trades are being executed automatically. The trading results look very promising, but I do not know exactly what strategy, logic, indicators, or trade-management rules are being used. I will provide access
Most of the expert is already coded . Create a panel to show the Ratio for the Range . Trigger is based on ratio . Show Distribution / project starts after we clear Distribution
Modification of existing ea …. Add ema filter, add risk percentage per trade, and modify the pips per day filter. I already have the ea code I just need these things added and modifified
Expert Advisors 300+ USD
double CRiskManager::CalculateLotSize(double slPoints) { double balance = AccountInfoDouble(ACCOUNT_BALANCE); double riskMoney = balance * (m_riskPercent / 100.0); double tickValue = SymbolInfoDouble(_Symbol, SYMBOL_TRADE_TICK_VALUE); double tickSize = SymbolInfoDouble(_Symbol, SYMBOL_TRADE_TICK_SIZE); double pointValue = tickValue / tickSize; double lot = riskMoney / (slPoints * pointValue);

프로젝트 정보

예산
60+ USD